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Missouri loves company
article
The Midwest state has enjoyed a sharp increase in the number of captives redomiciling there since it made proactive amendments to its insurance legislation.   1 January 1970
Healthcare captives: a retrospective
article
It has been a more than 30-year marriage between captives and healthcare. Monique Jackson examines how over that period the relationship has evolved.   1 January 1970
Analytics and the art of risk differentiation
Analysis
PointRight explains how strong data analytics can help captive managers build a profitable healthcare captive, even in a soft market.   1 January 1970
Accounting & tax analysis
A thoughtful and attentive audit can cast a telling spotlight on the finances of any captive. Following a troubled few years in the financial markets, such scrutiny is all the more pressing, says Geoff Johnson at BDO.   1 January 1970
Bermuda analysis
Choosing whether to keep claims management in house can be a complicated business for a captive insurer. Bermuda Captive examines the options available.   1 January 1970
Bermuda analysis
Claims handling best practice is a matter of education and centralisation. Gary Markham, chief executive at LSG, outlines the benefits of shared wisdom.   1 January 1970
Cayman analysis
The convergence of international and US accounting and financial standards will be a test for companies in the coming months. Ben Leung and Rennie Khan of PKF (Cayman) explore the challenges ahead.   1 January 1970
Analysis
The likely differentiation of captives under Solvency II equivalency and growing links with Canada and Latin America look set to position Bermuda at the forefront of captive development once again.   1 January 1970
Asset management analysis
A troubled investment environment has made returns elusive. Richard Garland of Investec Asset Management outlines how emerging market debt can help captives achieve their investment ambitions.   1 January 1970
Asset management analysis
Against the current backdrop of low US interest rates and elevated economic volatility, what are reasonable expectations for US bond and stock returns and the potential implications for strategic asset allocation?   1 January 1970

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